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At least 991 records · Page 55Linked to original sources

An integrated mudstone facies classification scheme and revised interpretation of the sedimentologic processes driving carbon burial in the Cenomanian–Turonian Greenhorn Formation, Colorado, U.S.A.

Standardizing facies descriptions has proven key to integrating interpretations of depositional processes and environments from sedimentologic observations with geochemistry data for mudstone lithologies. Because of their fine-grained nature, high degree of compaction, and heterogeneous composition, standardizing methods for mudstone descriptions has proven difficult, but it is critical to formulating meaningful interpretations of the processes that govern the accumulation of organic-rich lithologies and their role in both petroleum systems and the global carbon cycle. In this study, we have developed a modified facies classification scheme for mudstone lithologies that incorporates sedimentologic and compositional observation at the hand-sample and thin-section scales with geochemical measurements, including bulk organic and inorganic geochemistry, to characterize these rocks and their variability more completely for improved interpretations of depositional environments during a low-order sea-level transgression. The facies described in this study are of the Cenomanian–Turonian Greenhorn Formation in the USGS #1 Portland Core drilled in Fremont County, Colorado. Strata of the Greenhorn Formation span Oceanic Anoxic Event 2 (OAE-2) and the preceding interval. Lithologies range from organic-rich argillaceous mudstones with varied sedimentary structures to organic-lean, highly bioturbated limestones. Six facies were identified, each differentiated by varied sedimentary structures and geochemical composition. These facies occur in a predictable stratigraphic stacking pattern that represents a low-order sea-level transgression with interpreted depositional environments ranging from terrigenous-dominated pro-delta and muddy continental shelf at the base of the interval to pelagic offshore marine at the top of the Greenhorn Formation. Though the facies are consistent with previous interpretations of depositional environments at this locale in the Cretaceous Western Interior Seaway during the Greenhorn cyclothem, the sedimentary processes governing the accumulation of organic-rich strata that have defined this interval are significantly revised. Variability in the proximity and intensity of bottom currents driven by storms and geostrophic flows were key to the accumulation of each facies, with significant sediment transport occurring even through deposition in the most oxygen-depleted bottom waters. The methodology and interpretations provided here are now being employed to basin-scale predictions of organic enrichment utilizing calibrated petrophysical methods. The approach and results from this study improve understanding of how organic and inorganic carbon was sequestered during perturbations to the global carbon cycle associated with events such as OAE-2.

Colorado↗

Spatial distribution of larval Ixodes scapularis (Acari:Ixodidae) on Peromyscus leucopus and Microtus pennsylvanicus at two island sites

Larval blacklegged ticks, Ixodes scapularis , were collected from white-footed mice, Peromyscus leucopus , on Prudence Island (where Microtus pennsylavanicus were not captured) and from meadow voles, M. pennsylvanicus , on Patience Island (where P. leucopus was absent) in Narragansett Bay, Rhode Island from June to October 1992. Ixodes scapularis larvae were also collected by flagging in the vicinity of host captures. On both islands, the relative density of larvae changed from July to September in samples from hosts, but not in flagging samples. Consequently, different sampling techniques can give different assessments of tick populations. Larvae were highly aggregated on both of the host species throughout the sampling period. As the mean relative density of larvae increased in the environment (based on flagging samples), larvae on the hosts became more dense and more crowded. Increased densities of larvae in the environment were not correlated with increased patchiness in the distribution of larvae among host animals on either island. Changes in the spatial distribution of larval I. scapularis on each host species had similar trends as larval densities and distributions within the environment. These results suggest that M. pennsylvanicus can serve as an alternative host for immature I. scapularis in a P. leucopus -free environment and have similar distributional characteristics.

Journal of Parasitology↗

Mercury recycling in the United States in 2000

Reclamation and recycling of mercury from used mercury- containing products and treatment of byproduct mercury from gold mining is vital to the continued, though declining, use of this metal. Mercury is reclaimed from mercury-containing waste by treatment in multistep high-temperature retorts-the mercury is volatized and then condensed for purification and sale. Some mercury-containing waste, however, may be landfilled, and landfilled material represents loss of a recyclable resource and a threat to the environment. Related issues include mercury disposal and waste management, toxicity and human health, and regulation of mercury releases in the environment. End-users of mercury-containing products may face fines and prosecution if these products are improperly recycled or not recycled. Local and State environmental regulations require adherence to the Resource Conservation and Recovery Act and the Comprehensive Environmental Response, Compensation, and Liability Act to regulate generation, treatment, and disposal of mercury-containing products. In the United States, several large companies and a number of smaller companies collect these products from a variety of sources and then reclaim and recycle the mercury. Because mercury has not been mined as a principal product in the United States since 1992, mercury reclamation from fabricated products has become the main source of mercury. Principal product mercury and byproduct mercury from mining operations are considered to be primary materials. Mercury may also be obtained as a byproduct from domestic or foreign gold-processing operations. In the early 1990s, U.S. manufacturers used an annual average that ranged from 500 to 600 metric tons of recycled and imported mercury for fabrication of automobile convenience switches, dental amalgam, fluorescent lamps, medical uses and thermometers, and thermostats. The amount now used for fabrication is estimated to be 200 metric tons per year or less. Much of the data on mercury is estimated because it is a low-volume commodity and its production, use, and disposal is difficult to track. The prices and volumes of each category of mercury-containing material may change dramatically from year to year. For example, the average price of mercury was approximately $150 per flask from 2000 until 2003 and then rose sharply to $650 per flask in fall 2004 and approximately $850 per flask in spring 2005. Since 1927, the common unit for measuring and pricing mercury has been the flask in order to conform to the system used at Almaden, Spain (Meyers, 1951). One flask weighs 34.5 kilograms, and 29 flasks of mercury are contained in a metric ton. In the United States, the chlorine-caustic soda industry, which is the leading end-user of elemental mercury, recycles most of its mercury in-plant as home scrap. Annual purchases of replacement mercury by the chlorine-caustic soda industry indicate that some mercury may be lost through evaporation to the environment, put into a landfill as industrial waste, or trapped within pipes in the plant. Impending closure of domestic and foreign mercury-cell chlorine-caustic soda plants and the shift to nonmercury technology for chlorine-caustic soda production could ultimately result in a significant volume of elemental mercury for recycling, sale, or storage. Globally, mercury is widely used in artisanal, or small-scale, gold mining. Most of that mercury is lost to the environment and is not recycled. The recycling rate for mercury was not available owing to insufficient data in 2000, and the efficiency of mercury recycling was estimated to be 62 percent.

Circular↗

Geologic and hydrologic characterization and evaluation of the Basin and Range Province relative to the disposal of high-level radioactive waste: Part I, Introduction and guidelines

The U.S. Geological Survey's program for geologic and hydrologic evaluation of physiographic provinces to identify areas potentially suitable for locating repository sites for disposal of high-level nuclear wastes was announced to the Governors of the eight States in the Basin and Range Province on May 5, 1981. Representatives of Arizona, California, Idaho, New Mexico, Nevada, Oregon, Texas, and Utah, were invited to cooperate with the Federal Government in the evaluation process. Each Governor was requested to nominate an Earth scientist to represent the State in a province working group composed of State and U.S. Geological Survey representatives. This report, Part I of a three-part report, provides the background, introduction and scope of the study. This part also includes a discussion of geologic and hydrologic guidelines that will be used in the evaluation process and illustrates geohydrologic environments and the effect of individual factors in providing multiple natural barriers to radionuclide migration. Part II is a reconnaissance characterization of the geologic and hydrologic factors to be used in the initial screening of the Basin and Range Province. Part III will be the initial evaluation of the Province and will identify regions that appear suitable for further study. The plan for study of the Province includes a stepwise screening process by which successively smaller land units are considered in increasing detail. Each step involves characterization of the geology and hydrology and selection of subunits for more intensive characterization. Selection of subunits for further study is by evaluation of geologic and hydrologic conditions following a set of guidelines. By representation on the Province Working Group, the States participate in a consultation and review role in: (1) Establishing geologic and hydrologic guidelines, and (2) characterizing and evaluating the Province. The States also participate in compilation of geologic and hydrologic data used in characterizing the Province. The current (1983) needs for a high-level radioactive waste repository include: (1) Disposal in a mined repository; (2) retrievability of the waste for as much as 50 years; and (3) confidence of isolation of the waste from the accessible environment. Isolation of the waste needs to be assured using geologic and hydrologic conditions that: (1) Minimize risk of inadvertent future intrusions by man; (2) minimize the possibility of disturbance by processes that would expose the waste or increase its mobility; and (3) provide a system of natural barriers to the migration of waste by ground water. The guidelines adopted by the Province Working Group are designed to provide a standard with which these conditions can be compared. The guidelines can be grouped into four principal categories: (1) Potential host media, (2) ground-water conditions, (3) tectonic conditions, and. (4) occurrence of natural resources. Ideally the host medium constitutes the first natural barrier to migration of radionculides. The host medium ideally should be a rock type that prevents or retards dissolution and transport of radionuclides. Rocks in both the saturated and unsaturated zones may have desirable characteristics for host media. Rocks-other than the host-in the ground-water flow path from the repository ideally should be major barriers to radionuclide migration. Confining beds of low permeability might be present to retard the rate of flow between more permeable beds. Additionally, sorption of radionuclides by materials such as clays and zeolites in the flow path can further retard the flow of radionuclides by several orders of magnitude. Tectonic conditions in an area should not present a probable cause for exhumation or increased mobility of radioactive waste. Natural resources are a factor for consideration because of the problem of future human intrusion and exposure to radioactivity in the quest for minerals, oil, gas, water, and geothermal resources. The ultimate evaluation of the suitability of a geohydrologic environment for developing a mined repository needs to assess all geologic and hydrologic characteristics and their interaction in providing confidence that a geohydrologic environment will effectively isolate radionuclides from human access. Several hypothetical settings with typical geohydrologic conditions in the Basin and Range Province are used to illustrate the effect of multiple barriers in the isolation of radionuclides.

Arizona, California, Idaho, Nevada, New Mexico, Or↗

Archaeology and public perception of a trans-scientific problem; disposal of toxic wastes in the unsaturated zone

Predicting the effects of toxic-waste disposal on the environment over periods of millenia to hundreds of millenia is a transscientific problem; that is, one not fully addressed by quantitative scientific and engineering endeavors. Archaeology is a pertinent adjunct to such predictions in several ways. First, and foremost, archaeological records demonstrate that delicate, as well as durable, objects buried in thick unsaturated zones of arid and semiarid environments may survive intact for millenia to tens of millenia. This successful preservation of Late Paleolithic to Iron Age artifacts provides independent support for the tentative favorable conclusions of earth scientists regarding the general utility of thick unsaturated zones for toxic-waste isolation. By analogy with the archaeological record, solidified toxic wastes of low solubility that are buried in arid unsaturated zones should remain isolated from the environment indefinitely; modern man presumably should be able to improve upon the techniques used by his ancestors to isolate and preserve their sacred and utilitarian objects. Second, archaeological evidence pertinent to the fate of objects buried in unsaturated zones-although qualitative in nature and subject to the limitations of arguments by analogy-is meaningful to the public and to the courts who, with some scientists and engineers, are reluctant to rely exclusively on computer-generated predictions of the effects of buried toxic wastes on the environment. Third, the archaeological record issues a warning that our descendants may intrude into our waste disposal sites and that we must therefore take special measures to minimize such entry and, if it occurs, to warn of the dangers by a variety of symbols. And fourth, archaeology provides a record of durable natural and manmade materials that may prove to be suitable for encapsulation of our wastes and from which we can construct warning markers that will last for millenia. For these four reasons, archaeologists must join with earth scientists, and other scientists and engineers, in addressing the likely fate of solidfied toxic wastes buried in the thick (200-600 m) unsaturated zones of arid and semiarid regions. Indeed, the input of archaeology might be crucial to public acceptance of even the most carefully chosen and technically sound waste repository.

Circular↗

Mercury recycling in the United States in 2000

Reclamation and recycling of mercury from used mercury- containing products and treatment of byproduct mercury from gold mining is vital to the continued, though declining, use of this metal. Mercury is reclaimed from mercury-containing waste by treatment in multistep high-temperature retorts-the mercury is volatized and then condensed for purification and sale. Some mercury-containing waste, however, may be landfilled, and landfilled material represents loss of a recyclable resource and a threat to the environment. Related issues include mercury disposal and waste management, toxicity and human health, and regulation of mercury releases in the environment. End-users of mercury-containing products may face fines and prosecution if these products are improperly recycled or not recycled. Local and State environmental regulations require adherence to the Resource Conservation and Recovery Act and the Comprehensive Environmental Response, Compensation, and Liability Act to regulate generation, treatment, and disposal of mercury-containing products. In the United States, several large companies and a number of smaller companies collect these products from a variety of sources and then reclaim and recycle the mercury. Because mercury has not been mined as a principal product in the United States since 1992, mercury reclamation from fabricated products has become the main source of mercury. Principal product mercury and byproduct mercury from mining operations are considered to be primary materials. Mercury may also be obtained as a byproduct from domestic or foreign gold-processing operations. In the early 1990s, U.S. manufacturers used an annual average that ranged from 500 to 600 metric tons of recycled and imported mercury for fabrication of automobile convenience switches, dental amalgam, fluorescent lamps, medical uses and thermometers, and thermostats. The amount now used for fabrication is estimated to be 200 metric tons per year or less. Much of the data on mercury is estimated because it is a low-volume commodity and its production, use, and disposal is difficult to track. The prices and volumes of each category of mercury-containing material may change dramatically from year to year. For example, the average price of mercury was approximately $150 per flask from 2000 until 2003 and then rose sharply to $650 per flask in fall 2004 and approximately $850 per flask in spring 2005. Since 1927, the common unit for measuring and pricing mercury has been the flask in order to conform to the system used at Almaden, Spain (Meyers, 1951). One flask weighs 34.5 kilograms, and 29 flasks of mercury are contained in a metric ton. In the United States, the chlorine-caustic soda industry, which is the leading end-user of elemental mercury, recycles most of its mercury in-plant as home scrap. Annual purchases of replacement mercury by the chlorine-caustic soda industry indicate that some mercury may be lost through evaporation to the environment, put into a landfill as industrial waste, or trapped within pipes in the plant. Impending closure of domestic and foreign mercury-cell chlorine-caustic soda plants and the shift to nonmercury technology for chlorine-caustic soda production could ultimately result in a significant volume of elemental mercury for recycling, sale, or storage. Globally, mercury is widely used in artisanal, or small-scale, gold mining. Most of that mercury is lost to the environment and is not recycled. The recycling rate for mercury was not available owing to insufficient data in 2000, and the efficiency of mercury recycling was estimated to be 62 percent.

Open-File Report↗

Submarine ground water discharge and fate along the coast of Kaloko-Honokohau National Historical Park, Hawaii Part I: Time-series measurements of currents, waves, salinity and temperature: November 2005 – July 2006

The impending development for the west Hawai‘i coastline adjacent to Kaloko-Honokōhau National Historical Park (KAHO) may potentially alter coastal hydrology and water quality in the marine waters of the park. Water resources are perhaps the most significant natural and cultural resource component in the park, and are critical to the health and well being of six federally listed species. KAHO contains ecosystems of brackish anchialine pools, two 11-acre fishponds, and 596 acres of coral reef habitats, all fed by groundwater originating upslope. The steep gradients on high islands, combined with typically porous substrates and high rainfall levels at upper elevations, make these settings especially vulnerable to shifts in submarine groundwater discharge (SGD) and its entrained nutrients and pollutants. Little is known about the magnitude, rate, frequency, and variability of SGD and its influence on contaminant loading to Hawaiian coastal environments. Recent studies show that groundwater flux through the park is vital to many ecosystem components including anchialine ponds and wetland biota. The function of these ecosystems may be vulnerable to changes in groundwater flow stemming from natural changes (climate and sea level) and land use (groundwater pumping and contamination). Oki and others (1999) showed that increased groundwater withdrawals for urban development since 1978 likely decreased groundwater flux to the coast by 50%. During this same time, the quality of groundwater has been vulnerable to increases in contaminant and nutrient/fertilizer additions associated with industrial, commercial and residential use upslope from KAHO (Oki and others, 1999). High-resolution measurements of waves, currents, water levels, temperature and salinity were collected in the marine portion of the park from November, 2005, through July, 2006, to establish baseline information on the magnitude, rate, frequency, and variability of SGD. These data are intended to help researchers and resource managers better understand the hydrodynamics of the oceanographic environment in the park’s coastal waters as it pertains to the pathway of SGD and associated nutrient and contaminant input to the park’s coral reef ecosystem. Measurements were made of the oceanographic environment (waves, tides, currents, salinity and temperature) using hydrodynamic techniques to characterize and quantify the distribution, input and throughput of freshwater and associated nutrient/contaminant within the near shore environment of KAHO through the emplacement of a series of bottom-mounted instruments deployed in water depths less than 15 m. This study was conducted in support of the National Park Service (NPS) by the U.S. Geological Survey (USGS) Coastal and Marine Geology Program’s Coral Reef Project. These measurements support the ongoing studies of the Coral Reef Project to better understand the transport mechanisms of sediment, larvae, nutrients, pollutants and other particles on Pacific coral reefs. Subsequent reports will address the spatial and temporal variability in groundwater input and the associated nutrient flux in the park’s waters.

Hawai'i↗

Cenozoic geology of Fort Irwin and vicinity, California

The geology of the Fort Irwin National Training Center in the north-central Mojave Desert, California, provides insights into the hydrology and water resources of the area. The Fort Irwin area is underlain by rocks ranging in age from Proterozoic to Quaternary that have been deformed by faults as young as Quaternary. Pre-Tertiary sedimentary, igneous, and metamorphic bedrock and Miocene volcanic and sedimentary rocks are exposed in the mountains and ridges, between which are basins containing Quaternary to Pliocene deposits. During the Miocene, in the western part of Fort Irwin, development of the Eagle Crags volcanic field resulted in a complex assemblage of lava flows, pyroclastic flow and fallout tephra deposits, and volcaniclastic sedimentary rocks that were deposited in alluvial, fluvial, and locally lacustrine environments; in the eastern part of Fort Irwin, epiclastic sedimentary rocks and minor tuffaceous rocks were deposited in alluvial, fluvial, and locally lacustrine environments. In the Pliocene and Quaternary, sandstone and conglomerate were deposited in alluvial and fluvial environments, and locally fine-grained materials were deposited in lacustrine, eolian, playa, and groundwater discharge environments. The Fort Irwin area is transected by Neogene to Holocene northwest- and east-striking (and fewer northeast-striking) strike-slip, normal, and locally thrust faults. Structural blocks between faults are broadly warped, and locally rocks adjacent to the faults are folded and sheared. Many of these faults influenced the formation or modification of basins, especially after about 11 million years, when the Eastern California Shear Zone developed in this area. The three-dimensional geologic framework produced by the late Cenozoic stratigraphic and structural history is represented by the continuity or spatial limitations of lithostratigraphic and correlative hydrogeologic properties. The continuity or limitations of rocks and properties influence how water moved (and moves) through the hydrogeologic system.

California↗

Fate and behavior tools related to inland spill response—Workshop on the U.S. Geological Survey’s role in Federal science support

Executive Summary There is a growing body of tools available for science support for determining the fate and behavior of industrial and agricultural chemicals that are rapidly injected (“spilled”) into aquatic environments. A 2-day roundtable-style workshop was held by the U.S. Geological Survey (USGS) in Middleton, Wisconsin, in December 2017 to describe and explore existing Federal science support for spill fate and behavior tools used for inland spills, ongoing and new fate and behavior studies, and science gaps in planning and response tools as part of the USGS Midcontinent Region’s efforts to include spill response as part of its strategic plans. A total of 28 attendees representing a variety of Federal, State, and regional entities presented on programs and tools used in various aspects of spill response. Most programs and tools discussed were for spills in riverine environments but tools and applications for spills in lakes, on land surfaces, in urban storm sewer networks, and groundwater also were discussed. A primary workshop focus was to facilitate communication and increase potential for future collaboration among agencies for inland spill science support. The role and need for more USGS science support within the inland spill community was discussed. Enhanced communication is needed within the USGS and the U.S. Department of the Interior science programs, as well as within and among other agencies that do emergency planning and response. A main conclusion of the workshop was that there are untapped resources of the USGS outlined in the agency’s science strategy that could strengthen science support for fate and behavior tools in inland areas, especially in the Upper Mississippi River, Ohio River, and Great Lakes Basins where large freshwater resources overlap with dense corridors of oil and hazardous substances, with transportation networks, and with large populations centers. Fate and behavior tools are being developed quickly for inland spill response by multiple Federal agencies in partnership with local and regional entities. Applicability of these tools ranges from planning and preparedness, to the early stages of spill response for protection of human life and property, and to the application of monitoring and models to assess the long-term consequences of spills. Key findings from the workshop, with an emphasis on potential further development of USGS science support, include the following: •The national and regional response to spills occurs within an established system that must be respected by all parties involved in spill response. The USGS’s role is to support spill responders who are physically working at a spill scene, deploying booms and using other efforts to contain and recover spilled materials. •The USGS has tools that have been used throughout spill response operations, from early response to recovery and restoration. Developing a more formal role for the USGS to participate in science support for inland spills on a consistent basis is a desired outcome. This will require the USGS to improve internal and external communication and would be best accomplished by assigning one or more coordinator positions within the agency to plan and oversee USGS spill-response efforts. More involvement of the USGS on National and Regional Response Teams, especially in the realm of the Science and Technology Subcommittees, will gofar in increasing external communication and integration of fate and behavior tools. •Rapid response to spills requires modeling and mapping of plumes and associated time-of-travel estimation for a range of stream sizes across the United States. Many existing models use USGS streamgage data and the USGS National Hydrography Dataset. Nearly all existing models would benefit from updated linkages to USGS StreamStats and its soon-to-be released time-of-travel estimates,real-time velocity, stream morphology, and slope data. Integrating USGS tools with those from other agencies could be done to better serve the larger spill response community. • A problem is that existing models to rapidly predict plume extent, as well as more followup/longer-term fate and transport models, can be unknown or unavailable to spill responders. Thus, creating and strengthening linkages among USGS scientists skilled at using these tools is needed to support spill response with the on-scene responders. • Research for inland spill fate and behavior done outside of an immediate spill response can assist with spill planning and preparedness by (1) revealing sites likely to experience spills in the future (high-risk sites) and (2) understanding how a spilled substance might behave under a range of environmental conditions. However, USGS research on this topic has been scarce and subject to funding availability. Examples include the 2010 Line 6B Spill release into the Kalamazoo River in Michigan, where the USGS provided science support for a variety of fate and behavior tools for stream and impoundment environments. A long-term research site in Bemidji, Minnesota, provides important insights into transformations and longevity of spilled oil in groundwater and groundwater-surface water interactions. • Linking stream models to other components of this inland environment, including groundwater, overland flow, and karst, is needed. Stream network data can be linked to underground conduits such as storm sewers and karst groundwater systems. Stream models can also be linked with geospatial data such as that contained in U.S. Environmental Protection Agency’s interactive mapping tools. • The USGS is uniquely qualified to collect water-quality data during spills in the United States because of its many geographically dispersed water science centers, its knowledge and preparedness for flood measurement and documentation, and its cadre of skilled water-quality employees. Rapid-deployment gages, used for floods, could also be used for spills if they included spill-specific sensors. Coordinated expertise at USGS water and environmental science centers can be used for monitoring spill effects and for assessing risk to water quality and ecological communities. • Scientists at the USGS have proven capable of providing science coordination and technical assistance within the Incident Command Structure at the request of the lead on-scene coordinator. This external coordination, as well as internal communication within USGS Water, Hazards, and Ecosystems Mission Areas, could be improved by establishing and naming a USGS spills coordinator. Scott Morlock, Jo Ellen Hinck, and Faith Fitzpatrick are currently (2017) serving in informal coordination roles in addition to their traditional duties.

Open-File Report↗

Stratigraphy and paleoenvironment of Miocene phosphatic rocks in the East San Francisco Bay region, California

A stratigraphic study of the Monterey Group in the East San Francisco Bay Region, California, indicates that a depositional basin began to subside in early to middle Miocene time. The Miocene sea transgressed from the west or southwest, and the area subsided to a possible water depth of 500 to 2,500 m. The Monterey Group within the study area is a time-transgressive sequence of six sandstone and shale formations. Stratigraphic cycles of interbedded sandstone and shale formations are related to the amount of terrigenous sediment input into the basin as well as the depositional environment. During periods of low terrigenous sedimentation, biogenetic sedimentation in the form of diatomite layers were interbedded with hemipelagic muds and thin turbidite sands. These diatom-rich sediments were probably deposited within the upper bathyal zone (180 to 500 m) and, during lithification, diagenetically altered to form siliceous shales and cherts. As terrigenous sedimentation increased, probably due to periodic uplift east of the study area, biogenetic sedimentation was masked until finer grained sediment at a lower rate of deposition reoccurred. As the basin filled and a higher energy environment prevailed; coarse-grained sediment was again deposited until a lower energy environment resumed. Three types of inorganic phosphate are present within the study area: nodular, Pelletal, and pebbles of sandy phosphatic mudstone. The nodular phosphate is associated with the siliceous shale formations and formed within diatomite layers before compaction and lithification. The other two types of phosphate are found within the sandstone formations and probably originated in a shallower, higher energy environment than the siliceous shales. Faulting was active during middle to late Miocene time. The change in stratigraphic thickness across the Mission fault is 350 m which may approximate the vertical (?) displacement along this fault. This displacement took place in middle to upper Miocene time and apparently caused erosion of the upper formations of the Monterey Group on the west side of the Mission fault before the Briones Formation was deposited in late Miocene time. Depositional thinning of the Monterey Group in the southern portion of the study area may imply that the Hayward and Calaveras faults were also active at this time.

Open-File Report↗

Intrusions and intrusive complexes in an ophiolite near San Luis Obispo; a chemical and petrologic study

The San Luis Obispo ophiolite is a sequence of mafic and ultramafic rocks that lie as a thrust-like slice on top of Franciscan melange in the southern California Coast Range. The ophiolite comprises the classic Steinmann Trinity of basal serpentinized ultramafic rocks overlain sequentially by spilitized pillow lavas and cherts. The ophiolite is intruded by numerous diabasic dikes and several large intrusive complexes that contain peridotite, gabbro, diabase and felsic rocks. Field relations indicate that this ophiolite originated as a sequence of submarine volcanic flows and breccia units extruded onto an ultramafic basement. Later the volcanic and ultramafic rocks were intruded along their contact by mafic magma that crystallized as a stratiform complex of cumulate peridotite and gabbro. Next, this stratiform complex was intruded by diorite and albite-granite (trondhjemite) sills, which may have been produced by partial melting of gabbros in the upper levels of the stratiform complex. Finally all earlier units were intruded by diabasic sills and dikes that probably were late feeders for the pre-existing volcanic unit. All the ophiolite rocks underwent subsequent highly localized brecciation, under greenschist-facies conditions, in which felsic rocks were incipiently melted by frictional heating. The host rocks and intrusions were metamorphosed at low temperature and the mafic rocks were altered by Na- and Si-metasomatism. Despite this pervasive alteration, evidences of the formational stages of the ophiolite are preserved in disequilibrium mineral assemblages, primarily within mafic and ultramafic rocks of the intrusive complexes. Whole-rock analyses of the ophiolite suite indicate that alteration has obscured but not obliterated the original chemical character of the mafic rocks. The ophiolite diabases and basalts contain up to 6 weight percent Na 2 0 and 58 percent Si0 2 , in contrast to normal Si0 2 contents of 50 percent or less and Na 2 0 contents of less than 3 percent for unaltered oceanic and continental tholeiite basalts. However, the low K 2 0 contents (less than 0.8 percent) of all units in the ophiolite suite indicate that these rocks are not part of an alkalic kindred, but rather are altered tholeiites. Compositions of relict amphibole and plagioclase in the mafic rocks indicate that the ophiolite formed in a high-temperature environment and the deep seated rocks were metamorphosed under amphibolite-facies conditions. A later change in the environmental conditions allowed subsequent low-temperature (greenschist facies) metamorphism and metasomatism. The structure and chemistry of the San Luis Obispo ophiolite support the hypothesis that this body may represent a fragment of oceanic crust and mantle. The volcanic rocks and the intrusive complexes probably formed at a mid-ocean ridge, where conditions of high heat-flow provided the requisite high-temperature environment and promoted the production of mafic magmas. The change to low-temperature conditions probably was due to inception or acceleration of crustal spreading at that portion of the ridge where this ophiolite formed. The nature of brecciation in the ophiolite indicates that the low-temperature environment also was one of greater tectonic disturbance, relative to conditions at the ridge. This tectonically active environment probably corresponds to an island arc where the ophiolite-bearing plate was subducted in an adjacent trench. The absence of a high-pressure mineral assemblage in the San Luis Obispo ophiolite suggests that this segment of ocean-crust and upper mantle was not buried in a subduction zone, but rather was rafted on top of subduction melange (Franciscan Formation) into its present position.

California↗

Sedimentology and stratigraphy of the Palisades, Lower Comanche, and Arroyo Grande areas of the Colorado River Corridor, Grand Canyon, Arizona

This report analyzes various depositional environments in three archaeologically significant areas of the Colorado River corridor in Grand Canyon. Archaeological features are built on and buried by fluvial, aeolian, and locally derived sediment, representing a complex interaction between geologic and cultural history. These analyses provide a basis for determining the potential influence of Glen Canyon Dam operations on selected archaeological sites and thus for guiding dam operations in order to facilitate preservation of cultural resources. This report presents initial results of a joint effort between geologists and archaeologists to evaluate the significance of various depositional processes and environments in the prehistoric formation and modern preservation of archaeological sites along the Colorado River corridor in Grand Canyon National Park. Stratigraphic investigations of the Palisades, Lower Comanche, and Arroyo Grande areas of Grand Canyon yield detailed information regarding the sedimentary history at these locations. Reconstruction of past depositional settings is critical to a thorough understanding of the geomorphic and stratigraphic evolution of these three archaeologically significant areas. This examination of past sedimentary environments allows the relative significance of fluvial, aeolian, debris-fan, and slope-wash sedimentary deposits to be identified at each site. In general the proportion of fluvial sediment (number and thickness of flood deposits) is shown to decrease away from the river, and locally derived sediment becomes more significant. Flood sequences often occur as 'couplets' that contain a fluvial deposit overlain by an interflood unit that reflects reworking of fluvial sediment at the land surface by wind and local runoff. Archaeological features are built on and buried by sediment of various depositional environments, implying a complex interaction between geologic and cultural history. Such field analysis, which combines geological and archaeological information and techniques, can provide a basis for future determination of the effects of Glen Canyon Dam operations on selected areas of the river corridor. This knowledge is essential to the development of preservation strategies for cultural resources in Grand Canyon.

Scientific Investigations Report↗

Relation of Lake-Floor Characteristics to the Distribution of Variable Leaf Water-Milfoil in Moultonborough Bay, Lake Winnipesaukee, New Hampshire, 2005

Geophysical, water, and sediment surveys were done to characterize the effects of surficial geology, water and sediment chemistry, and surficial-sediment composition on the distribution of variable leaf water-milfoil in Moultonborough Bay, Lake Winnipesaukee, New Hampshire. Geophysical surveys were conducted in a 180-square-kilometer area, and water-quality and sediment samples were collected from 24 sites in the survey area during July 2005. Swath-bathymetric data revealed that Moultonborough Bay ranged in depth from less than 1 meter (m) to about 15 m and contained three embayments. Seismic-reflection profiles revealed erosion of the underlying bedrock and subsequent deposition of glaciolacustrine and Holocene lacustrine sediments within the survey area. Sediment thickness ranged from 5 m along the shoreward margins to more than 15 m in the embayments. Data from sidescan sonar, surficial-sediment samples, bottom photographs, and video revealed three distinct lake-floor environments: rocky nearshore, mixed nearshore, and muddy basin. Rocky nearshore environments were found in shallow water (less than 5 m deep) and contained sediments ranging from coarse silt to very coarse sand. Mixed nearshore environments also were found in shallow water and contained sediments ranging from silt to coarse sand with different densities of aquatic vegetation. Muddy basin environments contained the finest-grained sediments, ranging from fine to medium silt, and were in the deepest waters of the bay. Acoustic Ground Discrimination Systems (AGDS) survey data revealed that 86 percent of the littoral zone (the area along the margins of the bay and islands that extends from 0 to 4.3 m in water depth) contained submerged aquatic vegetation (SAV) in varying densities: approximately 36 percent contained SAV bottom cover of 25 percent or less, 43 percent contained SAV bottom cover of more than 25 and less than 75 percent, and approximately 7 percent contained SAV bottom cover of more than 75 percent. SAV included variable leaf water-milfoil, native milfoil, bassweed, pipewort, and other species, which were predominantly found near shoreward margins and at depths ranging from less than 1 to 4 m. AGDS data were used in a Geographic Information System to generate an interpolated map that distinguished variable leaf water-milfoil from other SAV. Furthermore, these data were used to isolate areas susceptible to variable leaf water-milfoil growth. Approximately 21 percent of the littoral zone contained dense beds (more than 59 percent bottom cover) of variable leaf water-milfoil, and an additional 44 percent was determined to be susceptible to variable leaf water-milfoil infestation. Depths differed significantly between sites with variable leaf water-milfoil and sites with other SAV (p = 0.04). Variable leaf water-milfoil was found at depths that ranged from 1 to 4 m, and other SAV had a depth range of 1 to 2 m. Although variable leaf water-milfoil was observed at greater depths than other SAV, it was not observed below the photic zone. Analysis of constituent concentrations from the water column, interstitial pore water, and sediment showed little correlation with the presence of variable leaf water-milfoil, with two exceptions. Iron concentrations were significantly lower at variable leaf water-milfoil sites than at other sampling sites (p = 0.04). Similarly, the percentage of total organic carbon also was significantly lower at the variable leaf water-milfoil sites than at other sampling sites (p = 0.04). Surficial-sediment-grain size had the greatest correlation to the presence of variable leaf water-milfoil. Variable leaf water-milfoil was predominantly growing in areas of coarse sand (median grain-size 0.62 millimeters). Surficial-sediment-grain size was also correlated with total ammonia plus organic nitrogen (Rho = 0.47; p = 0.02) and with total phosphorus (Rho = 0.44; p = 0.05) concentrations in interstitial pore-water samples.

Scientific Investigations Report↗

Refining sources of polychlorinated biphenyls in the Back River watershed, Baltimore, Maryland, 2018–2020

Older urban landscapes present unique and complex stressors to urban streams and their habitats through the introduction of legacy and emerging toxic contaminants. Contaminant sources are often associated with various developed land uses such as older residential areas, active and former industrial sites, contaminated sites, and effluents from municipal wastewater treatment plant discharges. These landscapes have a history of legacy contaminant use such as polychlorinated biphenyls (PCBs) resulting in impacts to sediment and water in these complex environments. Despite the ban of PCBs in new commercial use in 1979, PCB contamination is still widespread in the environment, with many fish consumption advisories throughout the Chesapeake Bay region based on elevated PCBs. Several watersheds in the Baltimore region have mandated reductions in PCBs per total maximum daily loads in tidal waters of the watersheds in order to promote compliance with water quality standards. Some of these mandated reductions (for example, regulated watershed runoff) specified in the total maximum daily loads are the responsibility of the local jurisdictions as part of their phase 1 National Pollutant Discharge Elimination System municipal separate storm sewer system permit. In cooperation with the Baltimore City Department of Public Works and Maryland Department of the Environment, the U.S. Geological Survey and University of Maryland, Baltimore County conducted a study from 2018 to 2020 to refine the sources of PCBs from the City of Baltimore into Back River and to use the results to improve the conceptual site model of PCBs in the Back River watershed. PCB concentrations in the water column of the nontidal streams in Back River watershed are relatively consistent throughout both tributaries, with greater concentrations detected in samples collected from Moores Run but greater loads estimated in samples collected from Herring Run. PCB concentrations measured in the bed sediments and analysis of the flux between sediment porewater (hereafter porewater) and surface water within the tributaries suggest that there are no stationary legacy sources within the stream channels. The bulk of PCB mass entering the system from these nontidal tributaries appears to be introduced primarily during storm events. While only one storm event was sampled and concentrations were quantified only in Herring Run, solids captured during the storm were characterized by increases in PCB mass and overall suspended solids concentrations. Although the bioavailability of the PCB-associated sediment is unknown, this mechanism appears to warrant additional attention to better understand how concentrations vary under different storm conditions and temporally. The importance of contaminated stormwater in loading to Herring Run is further supported by the PCB concentrations in storm drain sediments collected near the tributary, which were present in higher concentrations and were characterized by different homolog signatures compared to that in bed sediments. The observations in the tributaries differed from PCB concentrations and sediment characteristics downstream from the City of Baltimore boundary, in the upper tidal area of the main stem of Back River, particularly at the passive sampler locations BRT–1 and BRT–3. This depositional environment is characterized by higher organic content in sediments and higher concentrations of PCBs in porewater, which result in the possible flux of contaminants from sediment to the water column. This flux is generally opposite of that observed in the nontidal tributaries and the farthest upstream tidal site (BRT–2) and may be a result of the possible settling of sediment particles introduced via suspended solids in stormwater. Despite an observed considerable reduction in overall PCB mass loading to and from the Back River Wastewater Treatment Plant (BRWWTP) (and similar reductions observed in biosolids) compared to the estimates previously reported from 2015, effluent from the BRWWTP continues to be a primary source of PCBs to Back River. The current study confirmed the likeliness of fat, oil, and grease deposits within the miles of sewer pipe as a source of PCBs to the BRWWTP influent. The differences between PCB concentrations in fat, oil, and grease deposits found in pipes (during replacement) compared to that of the BRWWTP suggest that legacy deposits may contain higher PCB concentrations and may act as a source of PCBs to passing sewage, eventually entering the BRWWTP. Variation in freely dissolved concentrations in the sewer system was apparent through the analysis of PCBs in the primary pump stations using passive sampling, with the largest contribution to the influent attributed to a single pump station and associated piping. The contribution of PCBs to Herring Run and Moores Run via sanitary sewer overflows compared to the BRWWTP effluent is negligible, similar to reports from another large urban wastewater treatment plant. Therefore, decreased occurrence of sanitary sewer overflows is not expected to largely decrease PCB loads. Results of this study suggest that targeted, sediment-capture best management practices in Back River watershed could be an effective way to reduce PCB mass loading assuming that deposited contaminated sediments are effectively isolated. Recent studies of some common urban best management practices such as bioretention have shown removal of PCBs within the stormwater control structures. In addition, appropriately timed street sweeping practices with appropriate collection equipment may be an effective way to reduce contaminants such as PCBs from road runoff sources. Reductions in concentrations and mass loading within the sewer system measured in this study compared to that estimated 5 years prior reflect the possible success of ongoing gray infrastructure management actions. Reductions may be attributable to enhanced nutrient reduction upgrades to the BRWWTP and extensive capital improvements and maintenance to the sewer system. This study employed a combined sampling approach and a variety of sampling methods to include low-density polyethylene passive samplers, high-volume water samples, and grab samples of both water and sediment to characterize the PCB inputs to Herring Run, Moores Run, and Back River. Incorporating the passive samplers provided a time-weighted average of the freely dissolved concentration in the surface water, porewater, WWTP influent and effluent, and pump station influent over the deployment period with picogram per liter detection limits. A similar monitoring approach from this study could be implemented within other subwatersheds or municipal separate storm sewer system jurisdictions to assist in refining primary sources of PCBs in order to inform appropriate mitigation approaches.

Maryland↗

Occurrence and Distribution of Pesticides in the St. Lucie River Watershed, South-Central Florida, 2000-01, Based on Enzyme-Linked Immunosorbent Assay (ELISA) Screening

The St. Lucie River watershed is a valuable estuarine ecosystem and resource in south-central Florida. The watershed has undergone extensive changes over the last century because of anthropogenic activities. These activities have resulted in a complex urban and agricultural drainage network that facilitates the transport of contaminants, including pesticides, to the primary canals and then to the estuary. Historical data indicate that aquatic life criteria for selected pesticides have been exceeded. To address this concern, a reconnaissance was conducted to assess the occurrence and distribution of selected pesticides within the St. Lucie River watershed. Numerous water samples were collected from 37 sites among various land-use categories (urban/built-up, citrus, cropland/pastureland, and inte-grated). Samples were collected at inflow points to primary canals (C-23, C-24, and C-44) and at control structures along these canals from October 2000 to September 2001. Samples were screened for four pesticide classes (triazines, chloroacetanilides, chlorophenoxy compounds, and organophosphates) by using Enzyme-Linked Immunosorbent Assay (ELISA) screening. A temporal distribution of pesticides within the watershed was made based on samples collected at the integrated sites during different rainfall events between October 2000 and September 2001. Triazines were detected in 32 percent of the samples collected at the integrated sites. Chloroacetanilides were detected in 60 percent of the samples collected at the integrated sites, with most detections occurring at one site. Chlorophenoxy compounds were detected in 17 percent of the samples collected at the integrated sites. Organophosphates were detected in only one sample. A spatial distribution and range of concentration of pesticides at the 37 sampling sites in the watershed were determined among land-use categories. Triazine concentrations ranged from highest to lowest in the citrus, urban/built-up, and integrated areas, respectively. The highest median triazine concentration was found in the cropland/pastureland area. Chloroacetanilide concentra-tions ranged from highest to lowest in the citrus, integrated, urban/built-up, and cropland/pastureland areas, respectively. Chlorophenoxy compound concentrations ranged from highest to lowest in the urban/built-up, integrated, citrus, and cropland/pastureland areas, respectively. The maximum concentrations of triazines, chloroacetanilides, and chlorophenoxy compounds were 0.63, 1.0, and 14 micrograms per liter, respectively. Organophosphate was detected once at an integrated site at a concentration of 0.20 microgram per liter. Currently, the U.S. Environmental Protection Agency has no aquatic life guidelines for atrazine and metolachlor. However, assuming that all triazine and metolachlor concentrations from ELISA and gas chromatography/mass spectrometry (GC/MS) analyses were the result of atrazine and metolachlor detections, no concentrations exceeded the Canadian aquatic life guidelines for atrazine and metolachlor. One organophosphate detection (0.2 microgram per liter) did exceed the U.S. Environmental Protection Agency aquatic life guideline for chlorpyrifos. The deethylatrazine/atrazine ratio (DAR) is an important indicator of atrazine transport in the environment. The DAR ranged from 0.25 to 0.33, indicating that postapplication runoff was the most likely source of atrazine to the environment at the time of sampling. Deisopropylatrazine is a metabolite of atrazine and structurally similar compounds, such as simazine and cyanazine. The deisopropylatrazine/deethylatrazine ratio (D2R) is an indicator of nonpoint sources of deisopropylatrazine to the environment. The ratio ranged from 1 to 3 in this study, indicating simazine was an important source of deisopropylatrazine to the environment at the time of sampling, as opposed to atrazine alone. Confirmation analyses by GC/MS for triazines detected by ELISA indicated t

Water-Resources Investigations Report↗

Climatic-change implications from long-term (1823-1994) ice records for the Laurentian Great Lakes

Long-term ice records (1823-1994) from six sites in different parts of the Laurentian Great Lakes region were used to show the type and general timing of climatic changes throughout the region. The general timing of both freeze-up and ice loss varies and is driven by local air temperatures, adjacent water bodies and mixing, and site morphometry. Grand Traverse Bay and Buffalo Harbor represent deeper-water environments affected by mixing of off-shore waters; Chequamegon Bay, Memnominee, Lake Mendota, and Toronto Harbor represent relatively shallow-water, protected environments. Freeze-up dates gradually become later and ice-loss dates gradually earlier from the start of records to the 1890s in both environments, marking the end of the 'Little Ice Age.' After this, freeze-up dates remained relatively constant suggesting little change in early-winter air temperatures during the 20th century. Ice-loss dates at Grand Traverse Bay and Buffalo Harbor (but not at the other sites) became earlier during the 1940s and 1970s and became later during the 1960s. The global warming of the 1980s was marked by a trend toward earlier ice-loss dates in both environments.

Great Lakes↗

Spatio-temporal variability in the strength, directionality, and relative importance of climate on occupancy and population densities in a philopatric mammal, the American pika (Ochotona princeps)

Species distribution models (SDMs) have been widely employed to evaluate species–environment relationships. However, when extrapolated over broad spatial scales or through time, these models decline in their predictive ability due to variation in how species respond to their environment. Many models assume species–environment relationships remain constant over space and time, hindering their ability to accurately forecast distributions. Therefore, there is growing recognition that models could be improved by accounting for spatio-temporal nonstationarity – a phenomenon wherein the factors governing ecological processes change over space or time. Here, we investigated nonstationarity in American pika ( Ochotona princeps ) relationships with climatic variables in the Rocky Mountains (USA). We first compared broad-scale differences in pika–climate patterns for occupancy and population density across the Southern, Central, and Northern Rockies. Next, we investigated within-ecoregion variation across four mountain ranges nested within the Northern Rockies. Lastly, we tested whether species–climate relationships changed over time within the Central Rockies ecoregion. Across all analyses, we found varying levels of nonstationarity among the climate metrics for both occupancy and density. Although we found general congruence in temperature metrics, which consistently had negative coefficients, and moisture metrics (e.g., relative humidity), which had positive coefficients, nonstationarity was greatest for summer and winter precipitation over both space and time. These results suggest that interpretations from one ecoregion should not be applied to other regions universally – especially when using precipitation metrics. The within-ecoregion analysis found much greater variation in the strength-of-relationship coefficients among the four mountain ranges, relative to the inter-regional analysis, possibly attributable to smaller sample sizes per mountain range. Lastly, the importance of several variables shifted through time from significant to insignificant in the temporal analysis. Our results collectively reveal the overall complexity underlying species–environment relationships. With rapidly shifting conditions globally, this work adds to the growing body of literature highlighting how issues of spatio-temporal nonstationarity can limit the accuracy, transferability, and reliability of models and that interpretations will likely be most robust at local to regional scales. Diagnosing, describing, and incorporating nonstationarity of species–climate relationships into models over space and time could serve as a pivotal step in creating more informative models.

Frontiers in Ecology and Evolution↗

Fish life-history traits predict abundance-occupancy patterns in artificial lakes

Life-history traits of a species have been postulated as a factor in abundance and occupancy patterns. Understanding how traits contribute to the ubiquity and rarity of taxa can facilitate the development of effective conservation policy by establishing a connection between species requirements and resource. The goal was to evaluate fish assemblages in artificial lakes for evidence of the abundance-occupancy patterns reported in natural environments and, if evident, to explore if observed patterns of abundance and occupancy could be attributed to species traits. Fish abundance and occupancy were estimated over 1990–2018 in 22 artificial lakes impounded within the Tennessee River basin, USA. Consistent with reports for many other taxonomic groups in natural environments, there was a positive association amidst 114 fish species between abundance and occupancy in artificial lakes ( R 2 = 0.78). This result indicates that the fish assemblages that develop in these anthropized environments follow the fundamental abundance-occupancy patterns uncovered in natural environments, despite assemblages having been disfigured by the dramatic rearrangement of habitats brought by impoundment. Moreover, a redundancy analysis focusing mostly on reproductive and habitat traits adequately predicted abundance-occupancy patterns of fish assemblages in artificial lakes ( R 2 = 0.69). Species abundance-occupancy is influenced by the interplay between life-history traits and habitat availability, even in artificial lakes, and by extension, possibly other artificial ecosystems.

Alabame, Georgia, Kentucky, Mississippi, North Car↗